International Treasury & Cash Management Intermediate @ Eurofinance

15-17 October 2018
This course is designed to provide finance professionals with up-to-the-minute knowledge of the essential elements of corporate cash and treasury management, including: the role of the corporate treasurer and the structure of treasury; cash and liquidity management; interest rate and foreign exchange management.

Learning objectives

You will gain a complete insight into the new and existing challenges facing the industry and develop practical skills and knowledge that can be immediately applied upon your return to the office.

Intermediate level

Designed for experienced professionals who have a good understanding of treasury concepts, but are seeking more sophisticated and in-depth knowledge of structures and strategies.

Key benefits

A complete insight into international treasury

Leading industry tutors

Real-life case studies

Excellent networking opportunities

Tutors and teaching methods

EuroFinance tutors are chosen for their up-to-the-minute knowledge and expertise. Every learning point is powerfully reinforced by case studies, interactive exercises and role-plays so you can apply your newly acquired knowledge as soon as you return to the office. You will be required to complete a questionnaire prior to the course to enable you to define your objectives before the start of each module. This will allow each tutor to tailor the programme accordingly and ensure you walk away with the information you came to learn.

About EuroFinance training

We have secured the services of the industry’s leading tutors on cash and treasury management. Selected for their proven market expertise both regionally and globally, detailed technical knowledge and commitment to the highest standards of training, trainers share a dedication to, and have long-term experience in, the corporate treasury and banking field.